Manage the day-to-day operations of the treasury function, cash management, and bank relationships (cultivate and maintenance national and international relationships with banking partners).
Contribute to the formulation of short-term cash forecasts and provide support for the development of long-term financial modelling.
Payment management according to the internal payment procedure.
Perform KYC and FIOC according to bank requirements, open and close bank accounts.
Management of investment and financing alternatives as well as the issuance of guarantees.
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